| 1. | Understanding the risks and returns in investing in exchange fund notes 了解投资于外汇基金债券的风险与回报 |
| 2. | Risk and return 风险与回报 |
| 3. | Simple and efficient approach to investing five funds suiting investors distinctive risk return profiles 五种基金迎合投资者对风险与回报的不同取向 |
| 4. | The investor mode of management stresses the difference between returns and risks of doing and not doing 投资者管理模式强调做与不做的风险与回报的差别。 |
| 5. | There are several investment routes into real estate that capture different levels of risk and return 有几种投资房地产方法,各自有不同程度的风险与回报。 |
| 6. | Investors should understand the risks and returns of investing in the notes before they make their investment decisions 投资者在作出投资决定前,应先了解投资于债券的风险与回报。 |
| 7. | Investors should understand the risks and returns of investing in the notes before they make their investment decisions 投资者在作出投资决定前,应先了解投资于债券的风险与回报。 |
| 8. | Specifically , the consolidation of special purpose vehicles with risks and rewards borne by the company should be looked at . so should the accounting treatment of derivatives in respect of , for example , the measurement of their fair value in illiquid markets . the third concerns auditing 进行某些活动,有关的风险与回报由母公司承担的做法以及有关衍生工具的会计处理方法,例如是如何在流通性极低的市场评估这些衍生工具的公平市值。 |
| 9. | The relation between risk and return with the pricing of risk has been becoming the kernel parts of modern financial theory , all of capm , apt and the option pricing theory have contained plentiful basic thoughts on the analysis , pricing and management of risk and have become a stable theoretic foundation of the creation and development of modern market risk management 风险与回报的关系和风险定价成为现代金融理论的核心内容之一。资产组合管理理论、资产定价理论和期权定价理论都蕴含着丰富的有关风险分析、定价和管理的基本思想,成为现代市场风险管理产生和发展的坚实理论基础。 |